SI
SI
discoversearch

We've detected that you're using an ad content blocking browser plug-in or feature. Ads provide a critical source of revenue to the continued operation of Silicon Investor.  We ask that you disable ad blocking while on Silicon Investor in the best interests of our community.  If you are not using an ad blocker but are still receiving this message, make sure your browser's tracking protection is set to the 'standard' level.
Strategies & Market Trends : Bob Brinker: Market Savant & Radio Host

 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext  
To: David Bogdanoff who wrote (1061)7/29/1997 8:54:00 PM
From: Ram Srinivasan   of 42834
 
I don't think he said that. A question came up relating to the
index funds. Bob pointed out that the Total Market Portfolio
(Vanguard's) will own stocks in that proportion: 70% large cap,
20% mid-cap, 10% small-cap.

If you own a bunch of non-index Growth and G&I funds, it will be
pretty difficult to track down this information for each fund, and
conform to the prescribed allocation because a number of fund-managers
-- and certainly some of the best -- don't follow any rules in this
regard, they just buy the stocks they think will go up regardless of
the company's size.

Bob's asset allocation for stocks is 75% domestic, 25% foreign,
excluding Japan. If someone could elaborate on the foreign portion,
it would be nice.

Regards,

Ram
Report TOU ViolationShare This Post
 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext